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RBF Capital’s Hudson Global HSON Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$239K Hold
28,112
0.01% 506
2025
Q1
$300K Hold
28,112
0.02% 453
2024
Q4
$367K Hold
28,112
0.02% 440
2024
Q3
$450K Hold
28,112
0.02% 424
2024
Q2
$467K Hold
28,112
0.03% 394
2024
Q1
$496K Hold
28,112
0.03% 402
2023
Q4
$435K Hold
28,112
0.03% 403
2023
Q3
$530K Hold
28,112
0.03% 342
2023
Q2
$605K Hold
28,112
0.04% 334
2023
Q1
$626K Hold
28,112
0.05% 309
2022
Q4
$636K Hold
28,112
0.05% 302
2022
Q3
$945K Hold
28,112
0.08% 236
2022
Q2
$883K Hold
28,112
0.06% 276
2022
Q1
$1.14M Hold
28,112
0.07% 257
2021
Q4
$815K Hold
28,112
0.05% 297
2021
Q3
$448K Sell
28,112
-200
-0.7% -$3.19K 0.03% 356
2021
Q2
$500K Hold
28,312
0.03% 359
2021
Q1
$470K Sell
28,312
-1,400
-5% -$23.2K 0.03% 323
2020
Q4
$312K Sell
29,712
-7,750
-21% -$81.4K 0.02% 313
2020
Q3
$362K Hold
37,462
0.04% 269
2020
Q2
$330K Hold
37,462
0.04% 286
2020
Q1
$320K Hold
37,462
0.04% 263
2019
Q4
$448K Hold
37,462
0.04% 267
2019
Q3
$459K Hold
37,462
0.05% 244
2019
Q2
$466K Sell
37,462
-337,149
-90% -$4.19M 0.05% 246
2019
Q1
$569K Hold
374,611
0.07% 209
2018
Q4
$506K Hold
374,611
0.07% 203
2018
Q3
$596K Hold
374,611
0.06% 217
2018
Q2
$607K Hold
374,611
0.07% 211
2018
Q1
$727K Sell
374,611
-5,100
-1% -$9.9K 0.09% 182
2017
Q4
$854K Buy
379,711
+364,711
+2,431% +$820K 0.09% 169
2017
Q3
$22K Hold
15,000
﹤0.01% 364
2017
Q2
$20K Hold
15,000
﹤0.01% 359
2017
Q1
$19K Hold
15,000
﹤0.01% 366
2016
Q4
$20K Hold
15,000
﹤0.01% 370
2016
Q3
$23K Hold
15,000
﹤0.01% 363
2016
Q2
$30K Hold
15,000
0.01% 360
2016
Q1
$36K Hold
15,000
0.01% 348
2015
Q4
$44K Hold
15,000
0.01% 363
2015
Q3
$37K Hold
15,000
0.01% 337
2015
Q2
$34K Hold
15,000
0.01% 325
2015
Q1
$41K Sell
15,000
-10,100
-40% -$27.6K 0.01% 289
2014
Q4
$78K Hold
25,100
0.02% 279
2014
Q3
$95K Hold
25,100
0.02% 269
2014
Q2
$99K Hold
25,100
0.02% 267
2014
Q1
$95K Buy
25,100
+4,300
+21% +$16.3K 0.02% 266
2013
Q4
$84K Buy
20,800
+5,800
+39% +$23.4K 0.02% 281
2013
Q3
$49K Hold
15,000
0.01% 273
2013
Q2
$37K Buy
+15,000
New +$37K 0.01% 274